Introducing CI Volatility
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CI Volatility is a specialized volatility strategy hedge fund designed to deliver risk-controlled, uncorrelated returns.
At the core of our philosophy is the conviction that market protection and alpha generation are not opposing forces, but complementary elements of a well-crafted investment strategy. By employing sophisticated quantitative models, proprietary algorithms, and deep market insights, we design tailored volatility strategies that aim to shield assets during downturns while capturing upside potential in bullish environments.
We welcome inquiries from allocators, family offices, investors and traders interested in learning more about our strategies.

